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Kotak International REIT Overseas Equity Omni FOF-Reg(G)
Other | Very High | FoFs (Overseas) |
11.26
+0.03 NAV(₹) as on 17/10/2025 |
0.29% 1D |
8.52% 1Y |
10.65% 3Y |
- 5Y |
Scheme Details | |
---|---|
Expense Ratio: 1.36 |
Launch Date:
29 Dec 2020 |
Exit Load: Nil upto 8% of units and 1% for remaining units on or before 1Y, Nil after 1Y |
AUM:
₹ 90.78 Crs |
Lock-in: Nil |
Investing Style:
NA |
Portfolio Price To Book Value: NA |
Min. Investment: SIP : ₹ 100.0 Lumpsum : ₹ 100.0 |
Scheme Benchmark: NA |
|
Fund Manager: Arjun Khanna |
The investment objective of the scheme is to provide long-term capital appreciation and income by investing in units of SMAM ASIA REIT Sub Trust fund and/or other similar overseas REIT funds.
LATEST ASSET & PORTFOLIO ALLOCATION | Others | ||
---|---|---|---|
as on 30/9/2025 | 100.00 % |
Financial Year | 2020-21 | 2021-22 | 2022-23 | 2023-24 | 2024-25 |
---|---|---|---|---|---|
NAV (31/3/2025) | 9.71 | 10.39 | 9.18 | 9.42 | 9.47 |
Net Assets (Rs Crores) | 15,692.84 | 18,988.03 | 11,793.61 | 7,434.9 | 4,239.9 |
Scheme Returns(%)(Absolute) | -2.90 | 6.79 | -12.88 | 1.62 | 0.87 |
B'mark Returns(%)(Absolute) | NA | NA | NA | NA | NA |
Category Rank | 35/36 | 17/51 | 49/54 | 48/59 | 50/58 |
Fund Details | Inception Date | Aum(₹ Crs) | 1Y | 3Y | 5Y | Since Inception |
---|---|---|---|---|---|---|
Motilal Oswal Developed Market Ex US ETFs Overseas Equity Passive FOF-Reg(G)
FoFs (Overseas) | Very High | 14.75 +0.04 |
21/9/2023 | ₹ 33.57 | 24.19% | - | - | 20.59% |
|
22/12/2023 | ₹ 46.52 | 10.33% | - | - | 7.54% |
|
18/3/2024 | ₹ 64.23 | 10.26% | - | - | 10.06% |
|
31/10/2023 | ₹ 90.75 | 9.54% | - | - | 8.21% |
Bandhan US Treasury Bond 0-1 year specific Debt Passive FOF-Reg(G)
FoFs (Overseas) | Very High | 11.98 +0.01 |
28/3/2023 | ₹ 134.71 | 8.93% | - | - | 7.33% |
Aditya Birla SL US Treasury 3-10 year Bond ETFs FoF-Reg(G)
FoFs (Overseas) | Very High | 12.06 +0.03 |
31/10/2023 | ₹ 181.47 | 10.48% | - | - | 10.02% |
|
1/11/2022 | ₹ 187.71 | 25.46% | - | - | 31.87% |
|
9/5/2011 | ₹ 195.71 | 17.80% | 5.02% | 5.51% | -1.56% |
|
20/10/2021 | ₹ 41.82 | 10.95% | 8.92% | - | -0.05% |
|
29/12/2020 | ₹ 90.78 | 8.52% | 10.65% | - | 2.49% |